Hong Kong Shanghai Alliance Holdings Ltd(1001) HKD 0.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.25%HKD 0.025HKD0.012022-12-09
HKD0.0152022-08-22
20216.25%HKD 0.025HKD0.0152021-12-14
HKD0.012021-08-13
20195.00%HKD 0.02HKD0.022019-08-16
20183.93%HKD 0.016HKD0.01572018-08-21
20176.23%HKD 0.025HKD0.02492017-08-24
20168.15%HKD 0.033HKD0.02262016-12-19
HKD0.012016-09-08
201517.00%HKD 0.068HKD0.0182015-12-24
HKD0.052015-08-27
201424.09%HKD 0.096HKD0.0352014-12-10
HKD0.028082014-11-10
HKD0.033292014-08-26
201312.43%HKD 0.05HKD0.026472013-12-12
HKD0.023262013-08-22
20128.22%HKD 0.033HKD0.018452012-11-29
HKD0.014442012-08-22
20111.20%HKD 0.005HKD0.004812011-08-05
20107.42%HKD 0.03HKD0.010432010-12-13
HKD0.019252010-08-27
20096.02%HKD 0.024HKD0.024072009-12-14
20084.81%HKD 0.019HKD0.010432008-08-29
HKD0.008822008-03-07
20079.63%HKD 0.039HKD0.020862007-08-27
HKD0.017652007-02-05
20062.21%HKD 0.009HKD0.008822006-08-25
20054.41%HKD 0.018HKD0.017652005-08-22
20045.62%HKD 0.022HKD0.022462004-08-04
200317.85%HKD 0.071HKD0.024872003-12-30
HKD0.046532003-07-09
20029.72%HKD 0.039HKD0.006422002-08-09
HKD0.014442002-01-14
HKD0.0182002-01-10
200152.14%HKD 0.209HKD0.18452001-08-21
HKD0.024072001-01-02
200016.76%HKD 0.067HKD0.048132000-09-19
HKD0.018912000-01-24